Core Beliefs

Philosophy

Gramercy’s Organizational Strengths

Gramercy’s investment professionals have spent their careers as active investors in emerging markets, giving them a thorough understanding of the complexities involved in the asset class.

Our extensive distressed credit experience has resulted in vast relationships within emerging markets which provide unique local perspectives. We believe the hands-on nature of distressed investing has enabled Gramercy to establish relationships not easily replicated.

Our business platform takes a proactive and transparent approach to market-leading best practices. We are an SEC registered investment advisor that uses world-class institutional service providers. Gramercy has proactively sought to increase investor comfort through additional independent examinations of our operations and investor assets including annual SSAE 16 SOC1 Type II audits of Gramercy’s internal control environment and independent quarterly fund asset verifications.

All aspects of the investment and support teams have been built to ensure strong internal controls, serve our investors through transparency and protection of their capital, sustain our platform and exploit emerging market alpha opportunities.